Finance Accountant

Viscount Reuse

Australia

On-site

AUD 90,000 - 130,000

Full time

3 days ago
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Job summary

Viscount Reuse is seeking a Financial Accountant to support accounting, reporting and financial control for our Pooling businesses across Australia and New Zealand.

The role covers month-end close, balance sheet reconciliations, statutory and tax activities, budgeting and forecasting, and cross-functional collaboration to improve reporting quality. You will work with Finance and Shared Services in a dynamic, multi-entity environment.

Qualifications

  • Tertiary qualification in Accounting, Finance, Commerce or a related discipline.
  • Studying toward, or intending to commence, a CA or CPA qualification.
  • Some practical accounting experience, ideally in a commercial, professional services or multi-entity environment.
  • Exposure to month-end activities such as journals, accruals, reconciliations, supporting schedules and financial reporting.
  • Developing analytical skills, with the ability to investigate variances, identify issues and communicate findings clearly.

Responsibilities

  • Prepare month-end and year-end accounting activities for AU and NZ Pooling, including journals, accruals, reconciliations, reporting schedules and variance analysis.
  • Complete balance sheet reconciliations, investigate reconciling items and resolve issues with Finance and Shared Services.
  • Support statutory, tax and compliance activities, including BAS, FBT, year-end audits and external reporting.
  • Assist with budgeting, forecasting and monthly performance reviews through data preparation and analysis.
  • Provide accounting support across revenue, cost of sales, operating costs, leases and fixed assets.

Skills

Month-end analysis
Variance analysis
Attention to detail
Collaboration with finance
Excel proficiency

Education

Accounting/Finance degree
CA/CPA in progress

Tools

SAP

Job description

We have an exciting opportunity for a Financial Accountant to join our Finance team, supporting the accounting, reporting and financial control activities for our Pooling businesses across Australia and New Zealand.

What you'll be doing
  • Preparing month-end and year-end accounting activities for AU and NZ Pooling, including journals, accruals, reconciliations, reporting schedules and variance analysis.
  • Completing assigned balance sheet reconciliations, investigating reconciling items and working with Finance and Shared Service Centre teams to resolve issues promptly.
  • Supporting statutory, tax and compliance activities, including BAS, FBT, year-end audit requests, external reporting and head office submissions.
  • Assisting with budgeting, forecasting and monthly performance reviews through data preparation, analysis and follow-up of financial queries.
  • Providing accounting support across revenue, cost of sales, operating costs, leases, fixed assets, working capital and intercompany transactions.
  • Identifying practical opportunities to simplify processes, strengthen controls and improve reporting quality.
  • Supporting ad hoc analysis, projects and information requests across the Finance function.
About you
  • Tertiary qualification in Accounting, Finance, Commerce or a related discipline.
  • Studying toward, or intending to commence, a CA or CPA qualification.
  • Some practical accounting experience, ideally in a commercial, professional services or multi-entity environment.
  • Exposure to month-end activities such as journals, accruals, reconciliations, supporting schedules and financial reporting.
  • Developing analytical skills, with the ability to investigate variances, identify issues and communicate findings clearly.
  • Strong attention to detail, integrity, organisation and a willingness to learn in a deadline-driven environment.
  • Confidence working collaboratively with Finance and non-finance stakeholders.
  • Intermediate Excel skills and familiarity with accounting or ERP systems. SAP experience would be advantageous but is not essential.
Additional Information
Why this role?

This is a great opportunity to broaden your finance experience across our Australia and New Zealand operations, build strong commercial knowledge and contribute to accurate, timely and meaningful financial reporting. You'll be part of our collaborative Finance team and have the opportunity to continue developing your accounting capability in a supportive environment.

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